v3.26.1
Unaudited Interim Condensed Consolidated Statement of Financial Position - USD ($)
Dec. 31, 2025
Dec. 31, 2024
Non-current assets    
Property and equipment $ 889,000 $ 1,065,000
Right-of-use assets 1,047,000 1,846,000
Intangible assets 650,000 4,418,000
Goodwill 1,836,000 1,836,000
Investments in equity accounted associates 2,243,000  
Deferred platform commission fees 54,554,000 67,110,000
Deferred tax asset 112,000 103,000
Other non-current investments 16,415,000 16,115,000
Other non-current assets   107,000
Loan receivable non-current 318,000  
Total non-current assets 78,064,000 92,600,000
Current assets    
Indemnification asset 1,812,000 2,232,000
Trade receivables and other current assets 43,523,000 42,131,000
Loans receivable 1,172,000 226,000
Other investments - current 45,408,000 23,757,000
Prepaid tax 227,000 201,000
Cash and cash equivalents 62,908,000 111,049,000
Total current assets 155,050,000 179,596,000
Total assets 233,114,000 272,196,000
Equity    
Additional paid-in capital 30,107,000 29,831,000
Share-based payments reserve 144,601,000 144,399,000
Treasury share reserve (33,104,000) (33,104,000)
Translation reserve 7,054,000 5,890,000
Accumulated deficit (239,222,000) (248,545,000)
Equity attributable to equity holders of the Company (90,564,000) (101,529,000)
Total equity (90,564,000) (101,529,000)
Non-current liabilities    
Lease liabilities - non-current 310,000 18,000
Long-term deferred revenue 91,114,000 109,891,000
Share warrant obligations 362,000 365,000
Total non-current liabilities 91,786,000 110,274,000
Current liabilities    
Lease liabilities - current 777,000 1,282,000
Trade and other payables 25,138,000 20,212,000
Provisions for non-income tax risks 1,008,000 1,233,000
Put option liabilities - current 15,002,000 15,002,000
Tax liability 1,832,000 3,029,000
Deferred revenue 188,135,000 222,693,000
Total current liabilities 231,892,000 263,451,000
Total liabilities 323,678,000 373,725,000
Total liabilities and shareholders' equity $ 233,114,000 $ 272,196,000